Success
Fail
logo

Kenanga OnePRS Growth Fund

0.8667

NAV as 19 Apr 2024

-0.0047 (-1%)

Daily Change

Overview
Investment Objective

The Fund seeks to provide capital growth.

Fund Category
Core Fund
Fund Type
Growth
Launch Date
20-11-2013
Risk Profile
High
Shariah-compliant
-
EPF-MIS Fund
-
Base Currency
MYR
Performance Benchmark

A composite of All MGS Index (20%) and FBM 100 (80%). The composition of the benchmark is reflective of the equity exposure and fixed income instruments exposure of the Fund.


The risk profile of the Fund is not the same as the risk profile of the Performance benchmark.

Investor Profile
This Fund is suitable for Members who:
·    seek capital appreciation; and/or
·    have moderate risk tolerance and can withstand short-term volatility.

For Members under the Default Option who are below the age of 45 years, their contributions will be allocated into this Fund.

(Note: Where a Member under the Default Option makes the first contribution to the Scheme a month before the Member attains the age of 45 years old, the Member’s contribution will be allocated into the Kenanga OnePRS Moderate Fund instead.)
Asset Allocation
  • Maximum 80% of the Fund’s NAV in equities (with maximum of 10% of the Fund’s NAV in leveraged and inverse exchange-traded funds).
  • At least 20% of the Fund’s NAV in fixed income instruments and/or money market instruments.
  • Up to 5% of the Fund’s NAV in liquid assets for liquidity purpose.
Fees & Charges
Entry Fee
Cash Investment: Up to 1.50% of NAV per Unit
Exit Fee
Nil
Switching Fee
Nil
Annual Management Fee
1.55% p.a. of the NAV
Annual Trustee Fee
0.015% p.a. of the NAV or a minimum fee of RM6,000 p.a. per Fund
Minimum initial investment
Lump sum: RM1,000 per Fund | Regular contribution plan: RM100 per Fund
Minimum Additional investment
RM100 per Fund
Other fees relating to the Funds

Transfer Fee (to another PRS Provider):

RM25 per transaction


PPA Account Opening Fee:

RM10


PPA Annual Fee:

RM8 p.a.


PPA Administration Fee (Charged to the Funds):

0.04% p.a. of NAV


PPA Transfer Fee:

RM25 per transaction

Fund Performance

As at 29 Feb 2024

1 Year3 Year5 Year10 YearYear To DateSince Inception
10.831.0530.1565.997.1770.70

Source: Lipper Investment Management

(Past performance is not indicative of future performance. This table is for information only and is not intended as solicitation for sales. Please read and understand the contents of the relevant Prospectus before investing. If in doubt please consult a professional adviser.)

1 Y
3 Y
5 Y
10 Y
Year To Date
Since Inception
Fromto
Download
Fund Document
Prospectus / Information Memorandum / Disclosure Document 22 Jan 2021
1st Supplemental Prospectus / Information Memorandum / Disclosure Document 29 Sep 2023
Product Highlights Sheet 29 Sep 2023
Fund Factsheet 01 Mar 2024
Financial Report
Financial - Annual Report 31 Jul 2023
Financial - Semi-Annual Report / Quarterly Report 31 Jan 2024